Senior Portfolio Manager - Energy & Commodities
Senior Portfolio Manager - Energy & Commodities

Senior Portfolio Manager - Energy & Commodities

London Full-Time 43200 - 72000 Β£ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead research in energy, materials, and utilities for global equity investments.
  • Company: Join AustralianSuper, Australia's largest pension fund, focused on member success.
  • Benefits: Enjoy flexible work hours, a diverse culture, and opportunities for career growth.
  • Why this job: Be part of a dynamic team driving impactful investment strategies in a global context.
  • Qualifications: 15+ years in global equities with strong analytical skills; CFA preferred.
  • Other info: Work in a rapidly growing team with a commitment to diversity and inclusion.

The predicted salary is between 43200 - 72000 Β£ per year.

This job is brought to you by Jobs/Redefined, the UK\’s leading over-50s age inclusive jobs board. Job Description AustralianSuper, the largest pension fund in Australia and listed as a top 20 largest pension fund globally, is recruiting a pivotal senior investments role in our UK business that will play key role in delivering to our Global Equities direct investment strategy managed from London. Reporting to the Head of Core Equity the candidate will oversee research activity in the energy, material and utility sectors for the global equity team. The candidate will have extensive experience, bringing a global perspective on the sector and provide research analysis, sector reviews and stock ideas for the internally managed global equity strategies. The Fund: AustralianSuper, Australia\’s largest superannuation and a profit-for-member fund, we help members achieve their best financial position in retirement. The Role: The role acts as sector specialist within the global equity energy, material and utility sectors, ultimately delivering target alpha aligned to the Global Core Equity strategy. Global equities are the largest individual asset class for the fund, with a strategic ambition to manage the majority of assets internally and deliver consistent positive alpha. Role Responsibilities: Strong understanding of the sectors from a global perspective with over 15 years\’ experience of the energy, material and utility sector coverage. Conduct thorough research on companies, industries, and market trends to support investment decisions. Develop and maintain financial models to forecast future performance and valuations. Collaborate with other members of the investment team to develop and implement investment strategies. Prepare detailed investment reports and presentations for senior management and stakeholders. Monitor and review the performance of existing investments and recommend adjustments as needed. Stay abreast of market developments, regulatory changes, and industry news to inform investment strategies. Participate in meetings with company management, industry experts, and other stakeholders to gather insights and build relationships. Mentorship and development of junior team members. People and Fund Leadership: Motivate and inspire the team and suppliers by demonstrating commitment to the Fund\’s values, decision pillars and leadership principles. Ensure our Members First culture is consistently and firmly embedded across the team. Contribute both functional expertise and broader leadership and business management ideas, skills, and experience as part of cross-Fund initiatives. Ensure that effective career development plans are in place for the team. Stakeholder Management: Nurture and maintain internal relationships across all levels of the Fund. Governance and Compliance: Ensure relevant legislative and organisational requirements are met; keep up to date on all key changes to relevant regulations. Ensure appropriate and relevant governance structures, policies and processes are followed, and advocate for continuous improvement to these. Ensure risk is managed in accordance with the Fund\’s Risk Management Framework including risk identification and management, risk profiling, risk reporting and incident management. Implement strong risk controls on processes, policies and systems to ensure breaches are limited; actively build and promote a team culture of compliance and risk management awareness and appreciation. What we\’re looking for in prospective candidates: CFA designation is highly desirable. Proven experience in global equities investment, with a strong track record of performance. Excellent analytical and quantitative skills, with the ability to interpret complex data and financial statements. Strong knowledge of global equity markets, including key drivers, trends, and risks. Exceptional communication and presentation skills, with the ability to convey complex information clearly and concisely. Strong problem-solving skills and the ability to work effectively under pressure. A high level of integrity, professionalism, and commitment to ethical standards. Life at AustralianSuper: At AustralianSuper, we truly care about our colleagues. We know work and life are intertwined. That\’s why we support the diverse needs of everyone and have policies that enable us all to thrive and be truly flexible. We ensure diversity is celebrated for the opportunity it provides us all to learn and grow, and ultimately to deliver better outcomes for members. Our London and New York offices are made up of ~220 talented colleagues and is expected to grow four-fold over the next three years meaning when you join you become a key part of building our culture. As we collaborate with colleagues across multiple time zones flexibility in work hours are both a requirement and opportunity for this role. We are committed to supporting our diverse workforce in a way that is inclusive and embraces diversity in all its forms. If you require any reasonable adjustments to the recruitment process or the role, please let our recruitment team know. What\’s next: Apply now, if you share our values of Energy, Integrity, Generosity of Spirit, and Excellent Outcomes and would like the opportunity to work in a challenging, growing and rapidly evolving team to deliver outstanding results. #J-18808-Ljbffr

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Contact Detail:

AustralianSuper Recruiting Team

StudySmarter Expert Advice 🀫

We think this is how you could land Senior Portfolio Manager - Energy & Commodities

✨Tip Number 1

Network with professionals in the energy and commodities sectors. Attend industry conferences, webinars, or local meetups to connect with potential colleagues and leaders in the field. Building these relationships can provide valuable insights and may lead to referrals.

✨Tip Number 2

Stay updated on current trends and developments in global equity markets, particularly in energy, materials, and utilities. Subscribe to relevant financial news outlets and follow key influencers on social media to enhance your knowledge and demonstrate your passion during interviews.

✨Tip Number 3

Prepare to discuss your previous investment strategies and outcomes in detail. Be ready to share specific examples of how your research and analysis have led to successful investments, as this will showcase your expertise and ability to deliver results.

✨Tip Number 4

Familiarise yourself with AustralianSuper's values and culture. Understanding their commitment to diversity, integrity, and member outcomes will help you align your responses during interviews and demonstrate that you are a good fit for their team.

We think you need these skills to ace Senior Portfolio Manager - Energy & Commodities

Extensive experience in energy, material and utility sectors
Global perspective on investment strategies
Strong analytical and quantitative skills
Financial modelling and forecasting
Research and analysis of market trends
Excellent communication and presentation skills
Stakeholder management
Mentorship and team leadership
Understanding of global equity markets
Risk management and compliance knowledge
Ability to work under pressure
CFA designation (highly desirable)
Integrity and commitment to ethical standards

Some tips for your application 🫑

Tailor Your CV: Make sure your CV highlights your extensive experience in the energy, material, and utility sectors. Emphasise your analytical skills and any relevant achievements that demonstrate your ability to deliver positive alpha.

Craft a Compelling Cover Letter: In your cover letter, express your passion for global equities investment and how your background aligns with AustralianSuper's values. Mention specific examples of your research and investment strategies that have led to successful outcomes.

Showcase Your CFA Designation: If you hold a CFA designation, make it prominent in your application. Explain how this qualification has equipped you with the necessary skills and knowledge to excel in the role of Senior Portfolio Manager.

Prepare for Interviews: Anticipate questions related to your understanding of global equity markets and your approach to risk management. Be ready to discuss your previous experiences in detail, particularly those that demonstrate your leadership and mentorship abilities.

How to prepare for a job interview at AustralianSuper

✨Showcase Your Sector Expertise

Make sure to highlight your extensive experience in the energy, material, and utility sectors. Prepare specific examples of your past research and investment strategies that demonstrate your global perspective and understanding of market trends.

✨Prepare for Technical Questions

Expect to be asked about financial models and valuation techniques. Brush up on your analytical skills and be ready to discuss how you interpret complex data and financial statements, as this will be crucial for the role.

✨Demonstrate Leadership Qualities

Since the role involves mentoring junior team members, be prepared to discuss your leadership style and experiences. Share examples of how you've motivated teams and contributed to a positive work culture in previous roles.

✨Stay Updated on Market Developments

Research recent changes in regulations and industry news related to global equity markets. Being able to discuss current events and their potential impact on investment strategies will show your commitment and proactive approach.

Senior Portfolio Manager - Energy & Commodities
AustralianSuper
Location: London
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  • Senior Portfolio Manager - Energy & Commodities

    London
    Full-Time
    43200 - 72000 Β£ / year (est.)
  • A

    AustralianSuper

    1000+
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